华夏聚盈优选三个月持有混合发起式(FOF)C
(018303.jj)持有人户数92.00
成立日期2023-06-02
总资产规模
145.19万 (2024-09-30)
基金类型FOF当前净值0.8774基金经理卢少强管理费用率1.00%管托费用率0.20%成立以来分红再投入年化收益率-7.85%
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华夏聚盈优选三个月持有混合发起式(FOF)C(018303) - 历史基金累计净值数据曲线

最后更新于:2025-01-08

数据选项
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华夏聚盈优选三个月持有混合发起式(FOF)C历史净值,最多展示50条数据。
日期基金净值基金累计净值
2025-01-080.87740.8774
2025-01-070.87790.8779
2025-01-060.87010.8701
2025-01-030.87020.8702
2025-01-020.88660.8866
2024-12-310.90490.9049
2024-12-300.92100.9210
2024-12-270.92240.9224
2024-12-260.91730.9173
2024-12-250.91170.9117
2024-12-230.91050.9105
2024-12-200.93230.9323
2024-12-190.92730.9273
2024-12-180.92530.9253
2024-12-170.92240.9224
2024-12-160.94790.9479
2024-12-120.96400.9640
2024-12-110.95500.9550
2024-12-100.94510.9451
2024-12-090.94070.9407
2024-12-050.93050.9305
2024-12-040.92240.9224
2024-12-030.93200.9320
2024-12-020.93050.9305
2024-11-290.91640.9164
2024-11-280.90680.9068
2024-11-270.90800.9080
2024-11-260.89760.8976
2024-11-250.90150.9015
2024-11-220.89480.8948
2024-11-210.92100.9210
2024-11-200.91850.9185
2024-11-190.90820.9082
2024-11-180.89740.8974
2024-11-150.90870.9087
2024-11-140.92200.9220
2024-11-130.94360.9436
2024-11-120.94280.9428
2024-11-110.95350.9535
2024-11-080.93860.9386
2024-11-070.93920.9392
2024-11-060.92140.9214
2024-11-050.92090.9209
2024-11-040.90020.9002
2024-11-010.88720.8872
2024-10-310.90170.9017
2024-10-300.89670.8967
2024-10-290.89760.8976
2024-10-280.90900.9090
2024-10-250.90020.9002